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FEDERAL RESERVE BOARD WASHINGTON A D D R E S S OFFICIAL CORRESPONDENCE TO T H E FEDERAL RESERVE B O A R D October 19, 1932. B-844. SUBJECT: Forms for u s e d u r i n g 1933* Dear Sir: It will be appreciated if you will advise the Board the number of copies of the forms listed below that will be required by your bank (including branches, if any) during the calendar year 1933. Form 34 F.B.A.-5 Title * Daily balance, sheet. (Please state the number required for the head office and each branch separately, and indicate any special punching that may be desired). Daily statement of Federal reserve agent. 38 Classification of discounted and purchased bills held at the end of the month. 44 Monthly report of Federal reserve notes showing the number of each denomination and aggregate amount received, issued to bank, and returned to the Comptroller of the Currency. 95 Monthly report of earnings. 96 Monthly report of current expenses. 160 Monthly report of receipts and payments of paper currency. 194 Monthly report of Federal reserve notes received and issued; also stock on hand at beginning and end of month, E Semi-annual functional expense report. Please show separately the number of copies of each form, except form required if it is revised and the number if not revised. Very truly yours, E. L. Smead, Chief, Division of Bank Operations. LETTER TO ALL FEDERAL HESEHVE AGEKTS*.